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transcript
2012Rev 10/20/11
Thursday, O
ctob
er 20, 201
1Forsyth Co
unty, G
eorgia
FORSYTHCOUNTY,GEORGIAGOVERNMENT
FiscalYear2012Budget
BOARD OF COMMISSIONERS
R.J. (Pete) Amos, Secretary, District 1 Commissioner Brian R. Tam, Chairman, District 2 Commissioner
Todd Levent, District 3 Commissioner Patrick B. Bell, Vice Chairman, District 4 Commissioner
Jim Boff, District 5 Commissioner
ADMINISTRATION
Doug Derrer, County Manager Tim Merritt, Deputy County Manager
FINANCE COMMITTEE
Commissioner Brian R. Tam Commissioner Patrick B. Bell Doug Derrer, County Manager
David Gruen, Finance Director/Controller
BUDGET PREPARATION TEAM
Tim Merritt, Deputy County Manager Pat Carson, Personnel Services Director
Amanda Ream, Financial Operations Manager Amina Cephus, Financial Systems Administrator
Ryan Arnold, Grants Manager Kristy Manley, Executive Assistant
PUBLISHED BY THE FINANCE DEPARTMENT
A special thanks to everyone for their combined efforts during the 2012 Budget process.
TABLE OF CONTENTS
2012 Adopted Budget Summary .................................................................................................................................... 1
General Fund Revenue and Expenditure Detail by Department or Office ................................. 5
(in order by department/office number)
0000 - 1000 - General Fund Admin
1205 - Superior Court
1207 - Court Administration
1210 - Clerk of Courts
1215 - District Attorney
1220 - State Court Judge
1225 - State Court Solicitor
1230 - Magistrate Court
1231 - Pre Trial Services
1232 - Indigent Defense
1235 - Probate Court
1250 - Juvenile Court
1400 - Voter Registration
1500 - Board of Commissioners
1511 - Administration
1560 - 1564 - Tax Commissioner’s Office
1570 - Tax Assessor
1571 - Board of Equalization
1590 - Code Enforcement
1595 - Rural Development
1630 - 1633 - Planning & Development
2210 - 2280 - Sheriff’s Office
2300 - E911
2500 - Ambulance Service
2600 - Coroner & Medical Examiner 3120 - 3275 - Engineering
3120 - Roads & Bridges
3150 - General Engineering
3270 - Traffic Engineering
3275 - Storm Water Management
3190 - Public Transportation
4110 - Public Health
4410 - Dept of Family & Children Services
4432 - Senior Center
4449 - Community Service
4457 - Mental Health
5211 - 5216 - Parks & Recreation
5450 - Agency Services
5500 - Library
6120 - Soil Conservation
6680 - Extension Service
7520 - Chamber of Commerce
Special Revenue Fund Revenue and Expenditure Detail by Fund ..................................................... 107
(in order by fund number)
Fund 211 - Victim Rights
Fund 213 - Drug Abuse
Fund 215 - E-911
Fund 216 - Sheriff Law Enforcement
Fund 217 - DA Seizure
Fund 230 - Fire Department
Fund 240 - Law Library
Fund 245 - Juvenile Court Supervision
Fund 246 - DUI Court Supervisor
Fund 260 - Upper Chattahoochee Basin
Fund 275 - Hotel/Motel Tax
Enterprise Fund Revenue and Expenditure Detail by Fund ................................................................... 135
Fund 505 - Water and Sewer
Fund 540 - Solid Waste
Internal Service Fund Revenue and Expenditure Detail by Fund ...................................................... 159
(in order by fund number)
Fund 610 - Risk Management
Fund 620 - Worker’s Compensation
Fund 624 - Administration Services
Fund 626 - Information Technology
Fund 628 - Telecommunications
Fund 629 - GIS Services
Fund 635 - Fleet Maintenance
Fund 640 - Public Facilities
Debt Service Fund Revenue and Expenditure Detail by Fund .............................................................. 189 Fund 410/411 - GO Bond
Fund 430 - 2008 SPLOST 6 Bond
GENERALFUND Salaries and Benefits
Operating Expenses
Capital Internal Service
Charges Other Charges & Adjustments
2012Adopted Budget
REVENUES Taxes and Commissions 78,573,130$ Licenses and Permits 3,578,500 Fines & Forfeitures 2,961,100 Intergovernmental Revenues 1,365,544 Charges for Services 4,013,900 Other Revenues 401,400 Transfer To/From (All Funds) 800,000 Reserve for Encumbrances 630,000 Use of/Beginning Fund Balance 125,290
TOTAL REVENUES 92,448,864$
EXPENDITURESJUDICIAL SYSTEMSuperior Court 229,100 175,500 ‐ 149,900 ‐ 554,500 Court Administration 553,900 258,000 600 134,300 ‐ 946,800 Clerk Of Courts 1,878,400 209,250 11,000 426,400 ‐ 2,525,050 District Attorney 572,200 54,200 ‐ 201,200 ‐ 827,600 State Court 603,800 82,500 ‐ 122,500 ‐ 808,800 Solicitor 1,350,100 48,650 ‐ 213,500 ‐ 1,612,250 Magistrate 614,200 117,200 ‐ 197,000 ‐ 928,400 Pre‐Trial Services 138,400 8,300 ‐ 29,500 ‐ 176,200 Indigent Defense 289,400 926,150 ‐ 81,000 ‐ 1,296,550 Probate Court 611,700 65,900 ‐ 127,000 ‐ 804,600 Juvenile Court 698,800 307,400 ‐ 195,200 ‐ 1,201,400
Total 7,540,000 2,253,050 11,600 1,877,500 ‐ 11,682,150
GENERAL GOVERNMENT ‐ Voter Registration 1,018,100 210,000 ‐ 368,100 ‐ 1,596,200 Board Of Commissioners 276,800 607,600 ‐ 61,000 ‐ 945,400 Administration 681,300 206,700 ‐ 126,300 ‐ 1,014,300 Tax Commissioner's Office 2,215,700 645,700 ‐ 411,800 ‐ 3,273,200 Tax Assessor 1,690,200 228,100 ‐ 622,900 ‐ 2,541,200 Board Of Equalization 21,500 31,900 ‐ 39,100 ‐ 92,500 Rural Development Council ‐ 234,552 ‐ ‐ ‐ 234,552
Total 5,903,600 2,164,552 ‐ 1,629,200 ‐ 9,697,352
PUBLIC SAFETYSheriff's Office 25,932,500 6,900,450 ‐ 4,681,800 ‐ 37,514,750 E911 ‐ 27,300 ‐ 1,300 ‐ 28,600 Ambulance ‐ 956,683 ‐ ‐ ‐ 956,683 Coroner 103,100 39,200 ‐ 34,900 ‐ 177,200
Total 26,035,600 7,923,633 ‐ 4,718,000 ‐ 38,677,233
PUBLIC WORKSRoads & Bridges 2,716,000 1,028,941 162,200 431,100 ‐ 4,338,241 General Engineering 1,357,000 262,600 ‐ 394,400 ‐ 2,014,000 Traffic Engineering 169,800 110,100 ‐ 39,100 ‐ 319,000 Storm Water 717,400 994,600 ‐ 43,300 ‐ 1,755,300
Total 4,960,200 2,396,241 162,200 907,900 ‐ 8,426,541
HEALTH AND WELFAREPublic Transportation 369,300 102,100 4,700 61,300 ‐ 537,400 Public Health ‐ 181,600 14,650 63,600 ‐ 259,850 Public Welfare (DFACS) ‐ 201,400 ‐ 56,900 ‐ 258,300 Senior Center 1,269,300 408,800 ‐ 363,000 ‐ 2,041,100 Community Service 7,300 2,700 ‐ 23,300 ‐ 33,300 Mental Health ‐ 52,000 ‐ 39,400 ‐ 91,400
Total 1,645,900 948,600 19,350 607,500 ‐ 3,221,350
PARKS, RECREATION AND CULTUREParks & Recreation 4,338,700 2,369,510 ‐ 1,889,000 ‐ 8,597,210 Library ‐ 4,152,628 ‐ 85,200 ‐ 4,237,828 Non‐Profit Funding ‐ 277,000 ‐ ‐ ‐ 277,000 Extension Services 186,100 2,100 ‐ 54,300 ‐ 242,500
Total 4,524,800 6,801,238 ‐ 2,028,500 ‐ 13,354,538
HOUSING AND DEVELOPMENTPlanning 2,393,300 233,500 ‐ 613,300 ‐ 3,240,100 Soil Conservation 90,100 5,200 ‐ 42,600 ‐ 137,900 Forestry ‐ ‐ ‐ ‐ ‐ ‐ Code Enforcement 618,700 49,500 ‐ 113,100 ‐ 781,300 Chamber Of Commerce ‐ 60,000 ‐ ‐ ‐ 60,000 Economic Development ‐ 23,000 ‐ ‐ ‐ 23,000
Total 3,102,100 371,200 ‐ 769,000 ‐ 4,242,300
TRANSFERS FROM GENERAL FUNDVehicle Fund ‐ ‐ ‐ ‐ 467,800 467,800 Victim Assistance ‐ ‐ ‐ ‐ 175,200 175,200 Keep Forsyth Beautiful ‐ ‐ ‐ ‐ ‐ ‐ Capital Projects ‐ ‐ ‐ ‐ ‐ ‐ Georgia Lease Pool ‐ ‐ ‐ ‐ 1,175,300 1,175,300
Total ‐ ‐ ‐ ‐ 1,818,300 1,818,300
OTHER FINANCING SOURCES (USES)Internal Service Fund Charges ‐ 80,000 ‐ 389,100 469,100 Contingency ‐ 230,000 ‐ ‐ 230,000 Reserve For Encumbrances 630,000 630,000 Addition To Reserves ‐ ‐ ‐ ‐ ‐ ‐
Total ‐ 310,000 ‐ 389,100 630,000 1,329,100
TOTAL GENERAL FUND 53,712,200$ 23,168,514$ 193,150$ 12,926,700$ 2,448,300$ 92,448,864$
FORSYTHCOUNTY,GEORGIAFY2012ADOPTEDBUDGET
January 1, 2012 to December 31, 2012
FY 2012 ADOPTED BUDGET10/20/11
1
SPECIALREVENUEFUNDS Salaries and Benefits
Operating Expenses
Capital Internal Service
Charges Other Charges & Adjustments
2012Adopted Budget
REVENUES Taxes and Commissions 16,053,931$ Licenses and Permits ‐ Fines & Forfeitures 509,400 Intergovernmental Revenues 197,000 Charges for Services ‐ Other Revenues 4,185,100 Transfer To/From (All Funds) 175,200 Reserve for Encumbrances 600,000 Use of/Beginning Fund Balance 1,046,000
TOTAL REVENUES 22,766,631$
EXPENDITURESFire DepartmentFire ‐ Administration 2,611,300 1,009,990 15,000 1,857,200 ‐ 5,493,490 Fire ‐ Fighting 8,587,900 ‐ ‐ ‐ ‐ 8,587,900 Fire ‐ Fleet Maint 192,000 540,600 ‐ ‐ ‐ 732,600 Fire ‐ Emerg Mgmt Svc 74,800 150,100 ‐ ‐ ‐ 224,900
Subtotal 11,466,000 1,700,690 15,000 1,857,200 ‐ 15,038,890 Reserve from Encumbrances ‐ ‐ ‐ ‐ 600,000 600,000 Addition to Fire Fund Reserves ‐ ‐ ‐ ‐ 624,041 624,041 Reserve for Equipment ‐ 650,000 ‐ ‐ ‐ 650,000
Subtotal ‐ 650,000 ‐ ‐ 1,224,041 1,874,041 Total 11,466,000 2,350,690 15,000 1,857,200 1,224,041 16,912,931
Victim's Assistance 298,500 20,400 ‐ 60,900 ‐ 379,800 Drug Abuse Treatment & Education 10,800 117,500 ‐ ‐ ‐ 128,300 E‐911 2,755,900 1,298,900 26,500 297,700 ‐ 4,379,000 Sheriff ‐ Law Enforcement ‐ 295,000 ‐ ‐ ‐ 295,000 DA Seizure ‐ 9,000 ‐ ‐ ‐ 9,000 Law Library 21,700 222,200 ‐ 11,900 ‐ 255,800 Juvenile Court Supervision ‐ 67,000 ‐ ‐ ‐ 67,000 DUI Court Admin 18,200 106,600 ‐ ‐ ‐ 124,800 Upper Chattahoochee ‐ ‐ ‐ ‐ ‐ ‐ Hotel/Motel Tax ‐ 215,000 ‐ ‐ ‐ 215,000
Total 3,105,100 2,351,600 26,500 370,500 ‐ 5,853,700
TOTAL SPECIAL REVENUE FUNDS 14,571,100$ 4,702,290$ 41,500$ 2,227,700$ 1,224,041$ 22,766,631$
ENTERPRISEFUNDS Salaries and Benefits
Operating Expenses
Capital Internal Service
Charges Other Charges & Adjustments
2012Adopted Budget
REVENUES Taxes and Commissions ‐$ Licenses and Permits ‐ Fines & Forfeitures ‐ Intergovernmental Revenues ‐ Charges for Services 33,181,500 Other Revenues 5,886,200 Transfer To/From (All Funds) ‐ Reserve for Encumbrances ‐ Use of/Beginning Fund Balance 3,366,100
TOTAL REVENUES 42,433,800$
EXPENDITURESWater & SewerCommercial Services 615,000 267,600 ‐ ‐ ‐ 882,600 Engineering 1,153,500 858,100 ‐ ‐ ‐ 2,011,600 Maintenance 2,594,100 333,200 297,800 ‐ ‐ 3,225,100 Water ‐ 4,005,000 ‐ ‐ ‐ 4,005,000 Sewer ‐ 3,126,000 ‐ ‐ ‐ 3,126,000 Meter Reading 350,800 40,000 ‐ ‐ ‐ 390,800 Water Treatment ‐ 1,495,000 ‐ ‐ ‐ 1,495,000 Waste Water Treatment 230,300 3,231,600 ‐ ‐ ‐ 3,461,900 General Operations ‐ 19,607,800 1,810,000 935,400 ‐ 22,353,200 Total 4,943,700 32,964,300 2,107,800 935,400 ‐ 40,951,200
Solid Waste & RecyclingSolid Waste 287,300 257,300 ‐ 66,600 695,000 1,306,200 Keep Forsyth County Beautiful 136,400 14,300 ‐ 25,700 ‐ 176,400 Total 423,700 271,600 ‐ 92,300 695,000 1,482,600
TOTAL ENTERPRISE FUNDS 5,367,400$ 33,235,900$ 2,107,800$ 1,027,700$ 695,000$ 42,433,800$
FY 2012 ADOPTED BUDGET10/20/11
2
INTERNALSERVICEFUNDS Salaries and Benefits
Operating Expenses
Capital Internal Service
Charges Other Charges & Adjustments
2012Adopted Budget
REVENUES Taxes and Commissions 43,900$ Licenses and Permits ‐ Fines & Forfeitures ‐ Intergovernmental Revenues ‐ Charges for Services 17,122,700 Other Revenues 239,200 Transfer To/From (All Funds) ‐ Reserve for Encumbrances ‐ Use of/Beginning Fund Balance 437,500
TOTAL REVENUES 17,843,300$
EXPENDITURESAdministrative ServicesOffice Services ‐ 410,000 ‐ ‐ ‐ 410,000 Finance 1,066,200 181,400 500,000 141,800 ‐ 1,889,400 Payroll 144,700 76,600 45,000 19,800 ‐ 286,100 Procurement 450,400 16,000 ‐ 55,200 ‐ 521,600 Personnel Services 438,100 252,600 ‐ 53,700 ‐ 744,400 Communications 249,600 113,900 ‐ 54,300 ‐ 417,800 Total 2,349,000 1,050,500 545,000 324,800 ‐ 4,269,300
Information Technology 1,403,700 2,413,500 250,300 104,800 ‐ 4,172,300 Telecommunications 87,700 577,300 ‐ 7,200 ‐ 672,200 GIS Services 964,200 168,800 ‐ 158,100 ‐ 1,291,100 Fleet Maintenance 925,900 64,600 19,100 161,800 ‐ 1,171,400 Public Facilities 909,700 2,631,100 41,000 123,600 ‐ 3,705,400 Risk Management 189,500 1,157,900 ‐ 19,200 ‐ 1,366,600 Workers' Compensation 710,000 485,000 ‐ ‐ ‐ 1,195,000
Total 5,190,700 7,498,200 310,400 574,700 ‐ 13,574,000
TOTAL INTERNAL SRVC FUNDS 7,539,700$ 8,548,700$ 855,400$ 899,500$ ‐$ 17,843,300$
DEBTSERVICEFUNDS Salaries and Benefits
Operating Expenses
Capital Internal Service
Charges Other Charges & Adjustments
2012Adopted Budget
REVENUES Taxes and Commissions 7,828,969$ Licenses and Permits ‐ Fines & Forfeitures ‐ Intergovernmental Revenues ‐ Charges for Services ‐ Other Revenues 62,000 Transfer To/From (All Funds) 9,751,350 Reserve for Encumbrances ‐ Use of/Beginning Fund Balance 120,000
TOTAL REVENUES 17,762,319$
EXPENDITURESGO Bonds ‐ 8,010,969 ‐ ‐ ‐ 8,010,969 2008 SPLOST Bond ‐ 9,751,350 ‐ ‐ ‐ 9,751,350
TOTAL DEBT SERVICE FUNDS ‐$ 17,762,319$ ‐$ ‐$ ‐$ 17,762,319$
FY 2012 ADOPTED BUDGET10/20/11
3
FY 2012 ADOPTED BUDGET 4
2012
2012
Ado
pted
Bud
get
Forsyth Co
unty, G
eorgia
0000 ‐ 1000 ‐ General Fund Admin1205 ‐ Superior Court1207 ‐ Court Administration1210 ‐ Clerk of Courts1215 ‐ District Attorney1220 ‐ State Court Judge1225 ‐ State Court Solicitor1230 ‐Magistrate Court1231 ‐ Pre Trial Services1232 ‐ Indigent Defense1235 ‐ Probate Court1250 ‐ Juvenile Court1400 ‐ Voter Registration1500 ‐ Board of Commissioners1511 ‐ Administration1560 ‐ 1564 ‐ Tax Commissioner’s Office1570 ‐ Tax Assessor1571 ‐ Board of Equalization1590 ‐ Code Enforcement1595 ‐ Rural Development1630 ‐ 1633 ‐ Planning & Development
2210 ‐ 2280 ‐ Sheriff’s Office2300 ‐ E9112500 ‐ Ambulance Service2600 ‐ Coroner & Medical Examiner3120 ‐ 3275 ‐ Engineering3120 ‐ Roads & Bridges3150 ‐ General Engineering3270 ‐ Traffic Engineering3275 ‐ Storm Water Management3190 ‐ Public Transportation4110 ‐ Public Health4410 ‐ Dept of Family & Children Services4432 ‐ Senior Center4449 ‐ Community Service4457 ‐Mental Health5211 ‐ 5216 ‐ Parks & Recreation5450 ‐ Agency Services5500 ‐ Library6120 ‐ Soil Conservation6680 ‐ Extension Service7520 ‐ Chamber of Commerce
GeneralFundRevenueandExpenditureDetailbyDepartmentorOffice
FY 2012 ADOPTED BUDGET 5
FY 2012 ADOPTED BUDGET 6
100.0000
GENERAL FUND ADMIN
Account Number Account Name
2011ADOPTED
BUDGET (V5)
% INCR/DECR from
2011 BUDGETADOPTEDBUDGET
ACTUAL 2010 2012
REVENUES
100.0000.38300.LSBC RENTAL INCOME 0 017,500 -
100.0000.39110 TRANS FROM OTHER FUNDS 0 800,0008,674,490 -
100.0000.39980 RESERVE FOR ENCUMBRANCES 0 630,0000 -
100.0000.39990 USE OF FUND BALANCE 0 125,2900 -
100.1000.31110 REAL PROP TAXES CUR YEAR 34,127,818 32,762,19729,416,068 -4.00%
100.1000.31112 TIMBER TAX 197 2451 24.14%
100.1000.31118 REAL PROPERTY TAX PRIOR YR 250,000 400,000563,236 60.00%
100.1000.31121 REAL ESTATE TRANSFER TAX 128,300 150,000154,570 16.91%
100.1000.31122 MOTOR VEHICLE TAX 2,412,342 2,522,6582,157,906 4.57%
100.1000.31123 MOBILE HOME TAX 63,171 64,90354,586 2.74%
100.1000.31127 PP TAX PRIOR YR 0 50,00053,279 -
100.1000.31130 PERSONAL PROP TAX CURRENT YR 3,006,548 3,006,7562,085,644 0.01%
100.1000.31134 INTANGIBLE TAX 625,800 750,000805,629 19.85%
100.1000.31136 PP HEAVY EQUIPMENT 325 197315 -39.51%
100.1000.31310 LOCAL OPTION SALES TAX 22,814,234 24,784,37523,263,855 8.64%
100.1000.31420 ALCOHOL BEVERAGE EXCISE TAX 1,391,800 1,641,8001,648,496 17.96%
100.1000.31610 FRANCHISE BUS & OCCUP TAX 175,000 175,000179,775 0.00%
100.1000.31625 FRANCHISE CABLE TV TAX 916,400 1,100,0001,069,826 20.03%
100.1000.31630 LOCAL INSURANCE PREMIUM TAX 4,600,000 4,500,0004,489,440 -2.17%
100.1000.31900 PEN & INT ON DELINQ TAXES 1,000,000 1,500,0001,613,205 50.00%
100.1000.31901 PENALTY & INT ON DELINQ TAGS 123,800 123,800128,781 0.00%
100.1000.31902 PENALTY & INT INTANGIBLE TAX 17,000 16,00016,627 -5.88%
100.1000.31950.MAGIS FIFA 1,000 1,0001,078 0.00%
100.1000.32110 ALCOHOL LICENSES 575,000 600,000604,390 4.35%
100.1000.32115 PAWNBROKER'S LICENSE 1,000 01,000 -100.00%
100.1000.32220 MOTOR VEHICLE DECALS 171,200 181,200187,840 5.84%
100.1000.32230 OTHER MOTOR VEHICLE FEES 64,000 70,00073,625 9.38%
100.1000.32235 MOTOR VEHICLE EMISSION TEST 0 70,00074,191 -
100.1000.33443 GRANT-DOT 140,000 0175,984 -100.00%
100.1000.33800 FED GOV PYMT IN LIEU OF TAXES 46,000 46,00047,432 0.00%
100.1000.34118 JURY SERVICE REIMBURSEMENT FEE 0 02,293 -
100.1000.34140 SALES OF PRINTED MATL 0 01,006 -
100.1000.34195.INTCM COMMISSIONS ON TAX COLLECTIONS 247,500 275,000319,309 11.11%
100.1000.34195.TAXCM COMMISSIONS ON TAX COLLECTIONS 0 04,319,683 -
100.1000.34195.TRACM COMMISSIONS ON TAX COLLECTIONS 38,300 50,00061,574 30.55%
100.1000.34930 RETURNED CHECK FEES 0 06,556 -
100.1000.36100 INVESTMENT INCOME 250,000 100,000546,058 -60.00%
100.1000.36100.CCARD INVESTMENT INCOME 0 -35,000-35,542 -
100.1000.39100 MISCELLANEOUS REVENUES 10,000 10,000284,381 0.00%
100.1000.39101 MISC REVENUE 0 01,144 -
100.1000.39210 SURPLUS PROPERTY SALES 0 4,0004,791 -
100.1000.39211 SURPLUS FIXED ASSET SALES 0 027,287 -
TOTAL REVENUES $73,196,735 $76,475,420 4.48%$83,097,309
FY 2012 ADOPTED BUDGET 7
Account Number Account Name
2011ADOPTED
BUDGET (V5)
% INCR/DECR from
2011 BUDGETADOPTEDBUDGET
ACTUAL 2010 2012
EXPENDITURES
Operating Expenditures
100.0000.53108.EMPLY PROMOTIONAL SUPPLIES 0 80,0000 -
100.1000.57150 WRITE-OFF (IMMATERIAL BALANCES) 0 017,219 -
100.9000.53990 CONTINGENCY 1,300,000 230,0000 -82.31%
Total Operating Expenditures -76.15%$310,000$1,300,000$17,219
Internal Service Charges
100.0000.55101 EMPLOYEE HEALTHCARE 0 010,111 -
100.0000.55105 AD&D INS 0 0500 -
100.0000.55106 PESION CONTRIBUTIONS - ER 0 03,300 -
100.0000.55110 INFO SYSTEMS INT FUND CHARGE 20,100 21,4000 6.47%
100.0000.55120 GIS INT FUND SERVICE CHARGES 564,800 367,7000 -34.90%
Total Internal Service Charges -33.48%$389,100$584,900$13,911
Other Charges and Adjustments
100.0000.59990 CARRY FORWARD 575,000 00 -100.00%
100.0000.59995 TRANS REVENUE BAL TO NEXT YR 0 630,0000 -
100.0000.59998.2010 PRIOR PERIOD ADJUSTMENTS 0 063,390 -
100.0000.61100 FINANCING USES-OTHER 1,175,300 1,175,300750,000 0.00%
100.0000.61459 TRANSFER-VEHICLE FUND 394,800 467,80050,976 18.49%
100.0000.61460 TRANSFER-CAPITAL FUND 0 01,080,824 -
100.0000.61461 TRANSFER-VICTIM/WITNESS 152,500 175,200187,150 14.89%
100.0000.61468 TRANSFER-FIRE FUND 0 039,350 -
Total Other Charges and Adjustments 6.56%$2,448,300$2,297,600$2,171,690TOTAL EXPENDITURES $4,182,500 $3,147,400 -24.75%$2,202,820
FY 2012 ADOPTED BUDGET 8
SUPERIOR COURT100.1205
Account Number Account Name
2011ADOPTED
BUDGET (V5)
% INCR/DECR from
2011 BUDGET
ADOPTEDBUDGET
ACTUAL2010 2012
REVENUES
100.1205.34120 RECORD LEGAL INSTRUMENT 155,000 155,000 0.00%188,528100.1205.35111 FINES-SUPERIOR COURT 250,000 280,000 12.00%303,455
100.1205.35194 PARENTING CLASSES 800 1,200 50.00%1,335
$405,800 $436,200 7.49%TOTAL REVENUES $493,318
EXPENDITURES
Salaries and Benefits
100.1205.51111 SALARIES-FULL TIME 65,800 68,700 4.41%63,972
100.1205.51120 SALARY SUPPLEMENTS 110,100 112,000 1.73%110,175100.1205.51150 PERSONAL LEAVE PAID 0 0 -1,541
100.1205.51151 PERSONAL LEAVE SOLD 7,800 7,800 0.00%0100.1205.51161 BAILIFF FEES 38,000 0 -100.00%39,598
100.1205.51170 AD&D INS. 1,800 1,800 0.00%0100.1205.51210 EMPLOYEE HEALTHCARE 12,200 12,600 3.28%0
100.1205.51220 FICA 16,300 13,900 -14.72%16,587100.1205.51240 PENSION CONTRIBUTION - ER 11,800 11,800 0.00%0
100.1205.51291 UNIFORMS 500 500 0.00%447
$232,320 $264,300 $229,100 -13.32%Total Salaries and Benefits
Operating Expenditures
100.1205.51293 COFFEE & WATER SERVICE 1,900 1,900 0.00%1,708100.1205.52139 MGMT & PROF SERV 0 0 -0
100.1205.52182 JUROR FEES 51,500 0 -100.00%62,246100.1205.52184 COURT REPORTER 150,000 147,000 -2.00%140,778
100.1205.52186 JUROR MEALS & LODGING 500 0 -100.00%99100.1205.52187 JURY COMMITTEE FEES 600 600 0.00%900
100.1205.52188 INTERPRETER 8,600 0 -100.00%10,791100.1205.52244 MAINT M & E 2,300 2,300 0.00%2,209
100.1205.52322 TELEPHONE TOLL CHGS 100 100 0.00%93100.1205.52325 TELEPHONE INSTALLATION 200 0 -100.00%0
100.1205.52342 BUSINESS CARDS 100 100 0.00%0100.1205.52351 TRAVEL 2,300 2,300 0.00%0
100.1205.52355 TRAINING 1,900 1,900 0.00%0100.1205.53101 PAPER 800 800 0.00%793100.1205.53102 OFFICE SUPPLIES 4,800 6,000 25.00%5,748100.1205.53103 PRINTING 1,500 1,500 0.00%1,005
100.1205.53141 BOOKS & PERIODICALS 1,000 1,000 0.00%124100.1205.53161 DUES 1,500 1,500 0.00%818100.1205.53163 SUBSCRIPTIONS 1,500 1,500 0.00%601100.1205.53165 POSTAGE 7,000 7,000 0.00%6,150
$234,063 $238,100 $175,500 -26.29%Total Operating Expenditures
Internal Service Charges
100.1205.55100 ADMINISTRATION FUND CHARGES 37,700 22,000 -41.64%31,464
100.1205.55101 EMPLOYEE HEALTHCARE 0 0 -10,111100.1205.55102 WORKER'S COMP INS 1,300 1,000 -23.08%1,200100.1205.55103 RISK MANAGEMENT 9,600 5,700 -40.63%5,900100.1205.55104 PERSONAL LEAVE SOLD 0 0 -3,011
100.1205.55105 AD & D 0 0 -500100.1205.55106 PENSION CONTRIBUTION - ER 0 0 -3,300100.1205.55110 INFO SYSTEMS INT FUND CHARGE 73,100 83,900 14.77%63,476100.1205.55140 PUBLIC BUILDING DEPT FUND CHARGE 43,600 37,300 -14.45%39,752
$158,714 $165,300 $149,900 -9.32%Total Internal Service Charges
$667,700 $554,500 -16.95%TOTAL EXPENDITURES $625,097
FY 2012 ADOPTED BUDGET 9
FY 2012 ADOPTED BUDGET 10
COURT ADMINISTRATION100.1207
Account Number Account Name
2011ADOPTED
BUDGET (V5)
% INCR/DECR from
2011 BUDGET
ADOPTEDBUDGET
ACTUAL2010 2012
REVENUES
100.1207.33100.GB068 ARRA BYRNE GRANT SUBGRANT #B82-8-068 0 0 -0100.1207.33100.GB070 ARRA BYRNE GRANT SUBGRANT #B82-8-070 0 0 -0
100.1207.33100.GB072 SUBGRANT #B82-8-072 ARRA BYRNE GRANT 0 0 -0100.1207.33100.GB302 BYRNE ARRA GRANT SUBGRANT #B82-8-302 0 0 -0
100.1207.33100.GBJA1 GRANT - FED - BYRNE JUSTICE ASSISTANCE 0 0 -785100.1207.33100.GBJA2 BYRNE GRANT 2010-2011 0 0 -4,009
100.1207.33100.GBJAC GRANT BYRNE JUSTICE ASSISTANCE 27,000 92,044 240.90%4,785
$27,000 $92,044 240.90%TOTAL REVENUES $9,579
EXPENDITURES
Salaries and Benefits
100.1207.51111 SALARIES-FULL TIME 310,400 326,000 5.03%271,062
100.1207.51140 COMP TIME PAID 0 0 -14,057100.1207.51150 PERSONAL LEAVE PAID 0 0 -24,977
100.1207.51151 PERSONAL LEAVE SOLD 9,100 9,100 0.00%0100.1207.51155 BEREAVEMENT LEAVE 0 0 -884
100.1207.51159 MISCELLANEOUS WAGES 0 0 -3100.1207.51161 BAILIFF FEES 17,000 0 -100.00%4,857
100.1207.51161.GB072 BAILIFF FEES ARRA BYRNE GRANT B82-8-072 0 0 -0100.1207.51161.GBJAC BAILIFF FEES - BYRNE GRANT 0 100,100 -0
100.1207.51170 AD&D INS. 2,100 2,100 0.00%0100.1207.51210 EMPLOYEE HEALTHCARE 73,200 63,000 -13.93%0100.1207.51220 FICA 25,000 32,600 30.40%24,040100.1207.51220.GB072 FICA ARRA BYRNE GRANT B82-8-072 0 0 -0
100.1207.51240 PENSION CONTRIBUTION - ER 21,000 21,000 0.00%0
$339,880 $457,800 $553,900 20.99%Total Salaries and Benefits
Operating Expenditures
100.1207.52133 LEGAL FEES 0 0 -332100.1207.52139.GBJA2 BYRNE GRANT 2010-2011 0 0 -0
100.1207.52139.GBJAC MGMT & PROF. SERV 0 57,300 -0100.1207.52182 JUROR FEES 0 126,000 -0
100.1207.52186 JUROR MEALS & LODGING 0 1,000 -0100.1207.52188 INTERPRETER 0 58,000 -0100.1207.52252.GB302 COURTROOM 1A SUBGRANT #B82-8-302 0 0 -0100.1207.52252.GBJA2 BYRNE GRANT JUDGE'S BENCH & 0 0 -0
100.1207.52322 TELEPHONE TOLL CHGS 100 0 -100.00%2100.1207.52323 CELL PHONES 900 600 -33.33%1,106100.1207.52341 STATIONERY 200 100 -50.00%0100.1207.52342 BUSINESS CARDS 100 100 0.00%0
100.1207.52351 TRAVEL 3,500 3,500 0.00%2,059100.1207.52355 TRAINING 3,700 3,500 -5.41%970100.1207.53101 PAPER 100 100 0.00%26100.1207.53102 OFFICE SUPPLIES 1,900 1,700 -10.53%490
100.1207.53106.GBJA2 BYRNE GRANT 2010-2011 0 0 -4,009100.1207.53126 GASOLINE 100 300 200.00%209100.1207.53161 DUES 800 700 -12.50%496100.1207.53163 SUBSCRIPTIONS 100 0 -100.00%27
100.1207.53165 POSTAGE 0 100 -24100.1207.53192.GB070 SUPPLIES OTHER-ARRA BYRNE #B82-8-070 0 0 -0100.1207.53192.GBJA2 BYRNE GRANT S.O. ADDITIONAL ZONES 0 0 -0100.1207.53192.GBJAC SUPPLIES OTHER BYRNE GRANT 2,500 5,000 100.00%0
$9,750 $14,000 $258,000 1742.86%Total Operating Expenditures
FY 2012 ADOPTED BUDGET 11
Account Number Account Name
2011ADOPTED
BUDGET (V5)
% INCR/DECR from
2011 BUDGET
ADOPTEDBUDGET
ACTUAL2010 2012
Capital Expenditures
100.1207.54210.GB068 MACH & EQUIP - SUBGRANT #B82-8-68 ARRA 0 0 -0100.1207.54210.GBJAC MACHINERY & EQUIPMENT - BYRNE GRANT 7,500 600 -92.00%0
$0 $7,500 $600 -92.00%Total Capital Expenditures
Internal Service Charges
100.1207.55100 ADMINISTRATION FUND CHARGES 37,100 82,500 122.37%20,383
100.1207.55101 EMPLOYEE HEALTHCARE 0 0 -70,777100.1207.55102 WORKER'S COMP INS 1,300 1,200 -7.69%1,100100.1207.55102.GB072 WORKER'S COMPENSATION ARRA BYRNE 0 0 -0100.1207.55103 RISK MANAGEMENT 6,500 15,900 144.62%6,200
100.1207.55104 PERSONAL LEAVE SOLD 0 0 -1,432100.1207.55105 AD & D 0 0 -3,500
100.1207.55106 PENSION CONTRIBUTION - ER 0 0 -23,100100.1207.55110 INFO SYSTEMS INT FUND CHARGE 25,000 30,400 21.60%16,207
100.1207.55140 PUBLIC BUILDING DEPT FUND CHAR 2,300 4,300 86.96%1,089
$143,788 $72,200 $134,300 86.01%Total Internal Service Charges
$551,500 $946,800 71.68%TOTAL EXPENDITURES $493,418
FY 2012 ADOPTED BUDGET 12
CLERK OF COURTS100.1210
Account Number Account Name
2011ADOPTED
BUDGET (V5)
% INCR/DECR from
2011 BUDGET
ADOPTEDBUDGET
ACTUAL2010 2012
REVENUES
100.1210.31140 VENDING MACHINE REVENUE 32,000 100 -99.69%15,528100.1210.33100.GBJAC GRANT BYRNE JUSTICE ASSISTANCE 0 11,000 -23,995
100.1210.34120 RECORD LEGAL INSTRUMENT 675,000 636,000 -5.78%627,476100.1210.34140 SALES OF PRINTED MATL 15,000 70,000 366.67%74,401
100.1210.34140.GACLK SALES OF PRINTED MATERIAL-CLERK ASSOC 64,000 80,000 25.00%84,945
$786,000 $797,100 1.41%TOTAL REVENUES $826,345
EXPENDITURES
Salaries and Benefits
100.1210.51111 SALARIES-FULL TIME 1,201,800 1,231,600 2.48%1,087,630
100.1210.51130 OVERTIME 9,000 9,000 0.00%6,967100.1210.51140 COMP TIME PAID 0 0 -1,971
100.1210.51150 PERSONAL LEAVE PAID 0 0 -97,187100.1210.51151 PERSONAL LEAVE SOLD 42,900 42,900 0.00%0
100.1210.51155 BEREAVEMENT LEAVE 0 0 -2,780100.1210.51157 JURY DUTY 0 0 -351
100.1210.51159 MISCELLANEOUS WAGES 0 0 -97100.1210.51170 AD&D INS 9,900 9,900 0.00%0
100.1210.51210 EMPLOYEE HEALTHCARE 378,200 390,600 3.28%0100.1210.51220 FICA 92,100 94,000 2.06%91,836
100.1210.51240 PENSION CONTRIBUTION - ER 100,400 100,400 0.00%0
$1,288,819 $1,834,300 $1,878,400 2.40%Total Salaries and Benefits
Operating Expenditures
100.1210.51293 COFFEE & WATER SERVICE 1,800 1,800 0.00%1,558100.1210.52133 LEGAL FEES 6,000 5,000 -16.67%799
100.1210.52139 MGMT & PROF SERV 0 0 -34,897100.1210.52163 RECORD STORAGE 9,000 9,850 9.44%9,804
100.1210.52231 MAINT AGREE OFF EQUIP 1,300 1,300 0.00%1,110100.1210.52235 MAINT AGREE SFTWR 34,300 34,300 0.00%0
100.1210.52240 MAINT VEHICLES 500 500 0.00%410100.1210.52246 RENT-EQUIP & VEHICLES 6,900 6,900 0.00%6,483
100.1210.52322 TELEPHONE TOLL CHGS 100 100 0.00%42100.1210.52323 CELL PHONES 1,300 1,300 0.00%1,643100.1210.52325 TELEPHONE INSTALLATION 100 100 0.00%0100.1210.52326 TELEPHONE EQUIPMENT 200 200 0.00%0
100.1210.52331 LEGAL ADS 100 100 0.00%290100.1210.52333 PUBLIC NOTICES 100 100 0.00%22100.1210.52342 BUSINESS CARDS 100 100 0.00%86100.1210.52351 TRAVEL 3,000 2,750 -8.33%1,501
100.1210.52355 TRAINING 300 300 0.00%300100.1210.53101 PAPER 3,100 3,100 0.00%4,301100.1210.53102 OFFICE SUPPLIES 81,100 79,950 -1.42%56,511100.1210.53103 PRINTING 4,000 3,900 -2.50%2,648
100.1210.53106 COMPUTER SUPPLIES 0 0 -144100.1210.53126 GASOLINE 800 900 12.50%951100.1210.53161 DUES 1,000 1,000 0.00%650100.1210.53165 POSTAGE 21,700 21,700 0.00%21,669
100.1210.53999.GACLK MISC. GA SUPERIOR CT CLERK AUTH 34,000 34,000 0.00%15,511
$161,330 $210,800 $209,250 -0.74%Total Operating Expenditures
Capital Expenditures
100.1210.54210.GBJAC MACHINERY & EQUIPMENT - BYRNE GRANT 0 11,000 -23,995100.1210.54241 COMPUTER SOFTWARE 0 0 -0
$23,995 $0 $11,000 -Total Capital Expenditures
FY 2012 ADOPTED BUDGET 13
Account Number Account Name
2011ADOPTED
BUDGET (V5)
% INCR/DECR from
2011 BUDGET
ADOPTEDBUDGET
ACTUAL2010 2012
Internal Service Charges
100.1210.55100 ADMINISTRATION FUND CHARGES 83,700 86,000 2.75%91,543100.1210.55101 EMPLOYEE HEALTHCARE 0 0 -313,440
100.1210.55102 WORKER'S COMP INS 8,300 7,100 -14.46%7,300100.1210.55103 RISK MANAGEMENT 19,900 20,600 3.52%13,700
100.1210.55104 PERSONAL LEAVE SOLD 0 0 -21,011100.1210.55105 AD & D 0 0 -15,500
100.1210.55106 PENSION CONTRIBUTION - ER 0 0 -106,600100.1210.55110 INFO SYSTEMS INT FUND CHARGE 217,800 251,000 15.24%202,683
100.1210.55130 FLEET MAINT INT FUND CHARGES 1,200 1,400 16.67%1,100100.1210.55140 PUBLIC BUILDING DEPT FUND CHARGE 94,600 60,300 -36.26%77,027
$849,904 $425,500 $426,400 0.21%Total Internal Service Charges
$2,470,600 $2,525,050 2.20%TOTAL EXPENDITURES $2,324,048
FY 2012 ADOPTED BUDGET 14
DISTRICT ATTORNEY100.1215
Account Number Account Name
2011ADOPTED
BUDGET (V5)
% INCR/DECR from
2011 BUDGET
ADOPTEDBUDGET
ACTUAL2010 2012
REVENUES
100.1215.33100.GBJAC GRANT BYRNE JUSTICE ASSISTANCE 0 0 -3,693100.1215.33410.GAAOC GA ADMIN OFFICE OF COURTS 0 0 -0
100.1215.38900 DIVERSION 5,300 3,600 -32.08%3,500100.1215.39100 MISCELLANEOUS REVENUES 0 0 -8,238
$5,300 $3,600 -32.08%TOTAL REVENUES $15,431
EXPENDITURES
Salaries and Benefits
100.1215.51111 SALARIES-FULL TIME 275,200 340,500 23.73%239,446100.1215.51120 SALARY SUPPLEMENTS 72,100 69,100 -4.16%58,853
100.1215.51130 OVERTIME 0 0 -101100.1215.51140 COMP TIME PAID 0 0 -4,980
100.1215.51150 PERSONAL LEAVE PAID 0 0 -25,924100.1215.51151 PERSONAL LEAVE SOLD 10,400 11,700 12.50%0
100.1215.51159 MISCELLANEOUS WAGES 0 0 -1100.1215.51170 AD&D INS. 2,400 2,700 12.50%0
100.1215.51180 UNEMPLOYMENT CLAIMS 0 0 -7,590100.1215.51210 EMPLOYEE HEALTHCARE 85,400 88,200 3.28%0
100.1215.51220 FICA 27,000 31,600 17.04%26,185100.1215.51240 PENSION CONTRIBUTION - ER 25,400 28,400 11.81%0
$363,080 $497,900 $572,200 14.92%Total Salaries and Benefits
Operating Expenditures
100.1215.51293 COFFEE & WATER SERVICE 2,100 1,700 -19.05%1,946
100.1215.52133 LEGAL FEES 0 0 -0100.1215.52163 RECORD STORAGE 2,800 3,300 17.86%3,196
100.1215.52184 COURT REPORTER 11,000 10,000 -9.09%7,044100.1215.52185 WITNESS FEES 300 300 0.00%333
100.1215.52185.FEN00 WITNESS FEES - 6,000 6,000 0.00%0100.1215.52188 INTERPRETER 2,400 4,700 95.83%6,326
100.1215.52195 INVESTIGATION COSTS 1,100 800 -27.27%657100.1215.52240 MAINT VEHICLES 2,000 2,000 0.00%2,427
100.1215.52241 TIRES 600 600 0.00%412100.1215.52322 TELEPHONE TOLL CHGS 400 400 0.00%516100.1215.52323 CELL PHONES 2,100 2,000 -4.76%3,159100.1215.52331 LEGAL ADS 100 100 0.00%0
100.1215.52341 STATIONERY 300 300 0.00%392100.1215.52342 BUSINESS CARDS 100 100 0.00%193100.1215.52350 CERTIFIED COPIES 100 100 0.00%71100.1215.52351 TRAVEL 1,100 750 -31.82%361
100.1215.52355 TRAINING 1,700 1,250 -26.47%1,205100.1215.53101 PAPER 1,200 1,300 8.33%1,198100.1215.53102 OFFICE SUPPLIES 6,500 5,500 -15.38%7,863100.1215.53103 PRINTING 1,500 500 -66.67%267
100.1215.53106.GBJAC COMPUTER SUPPLIES BYRNE GRANT 0 0 -3,692100.1215.53109 VEHICLE TAGS & DECALS 100 100 0.00%40100.1215.53126 GASOLINE 4,200 4,700 11.90%5,549100.1215.53141 BOOKS & PERIODICALS 400 500 25.00%292
100.1215.53161 DUES 3,300 2,800 -15.15%2,776100.1215.53163 SUBSCRIPTIONS 400 400 0.00%614100.1215.53165 POSTAGE 4,000 4,000 0.00%3,662
$54,191 $55,800 $54,200 -2.87%Total Operating Expenditures
FY 2012 ADOPTED BUDGET 15
Account Number Account Name
2011ADOPTED
BUDGET (V5)
% INCR/DECR from
2011 BUDGET
ADOPTEDBUDGET
ACTUAL2010 2012
Internal Service Charges
100.1215.55100 ADMINISTRATION FUND CHARGES 43,700 47,200 8.01%40,499100.1215.55101 EMPLOYEE HEALTHCARE 0 0 -70,777
100.1215.55102 WORKER'S COMP INS 2,000 1,800 -10.00%1,700100.1215.55103 RISK MANAGEMENT 13,200 11,900 -9.85%9,400
100.1215.55104 PERSONAL LEAVE SOLD 0 0 -5,304100.1215.55105 AD & D 0 0 -3,500
100.1215.55106 PENSION CONTRIBUTION - ER 0 0 -23,100100.1215.55110 INFO SYSTEMS INT FUND CHARGE 91,200 102,900 12.83%62,707
100.1215.55130 FLEET MAINT INT FUND CHARGES 8,800 8,600 -2.27%7,200100.1215.55140 PUBLIC BUILDING DEPT FUND CHARGE 43,600 28,800 -33.94%44,576
$268,763 $202,500 $201,200 -0.64%Total Internal Service Charges
$756,200 $827,600 9.44%TOTAL EXPENDITURES $686,034
FY 2012 ADOPTED BUDGET 16
STATE COURT100.1220
Account Number Account Name
2011ADOPTED
BUDGET (V5)
% INCR/DECR from
2011 BUDGET
ADOPTEDBUDGET
ACTUAL2010 2012
REVENUES
100.1220.34109 JUDICIAL OPERATIONS FUND FEE 0 140,000 -97,750100.1220.34120 RECORD LEGAL INSTRUMENT 300,000 300,000 0.00%370,760
100.1220.35112 FINES - STATE CT 1,700,000 1,400,000 -17.65%1,636,501
$2,000,000 $1,840,000 -8.00%TOTAL REVENUES $2,105,011
EXPENDITURES
Salaries and Benefits
100.1220.51111 SALARIES-FULL TIME 474,800 488,400 2.86%464,107
100.1220.51140 COMP TIME PAID 0 0 -264100.1220.51150 PERSONAL LEAVE PAID 0 0 -14,527
100.1220.51151 PERSONAL LEAVE SOLD 7,800 7,800 0.00%0100.1220.51157 JURY DUTY 0 0 -353
100.1220.51161 BAILIFF FEES 30,000 0 -100.00%26,546100.1220.51170 AD&D INS. 1,800 1,800 0.00%0
100.1220.51210 EMPLOYEE HEALTHCARE 48,800 50,400 3.28%0100.1220.51220 FICA 38,700 37,400 -3.36%35,101
100.1220.51240 PENSION CONTRIBUTION - ER 18,000 18,000 0.00%0100.1220.51291 UNIFORMS 0 0 -32
$540,930 $619,900 $603,800 -2.60%Total Salaries and Benefits
Operating Expenditures
100.1220.51293 COFFEE & WATER SERVICE 1,400 1,400 0.00%738
100.1220.52133 LEGAL FEES 0 0 -0100.1220.52139 MGMT & PROF SERV 11,400 11,400 0.00%9,786
100.1220.52182 JUROR FEES 51,300 0 -100.00%59,211100.1220.52184 COURT REPORTER 63,000 54,500 -13.49%51,274
100.1220.52188 INTERPRETER 48,000 0 -100.00%40,318100.1220.52322 TELEPHONE TOLL CHGS 100 100 0.00%64
100.1220.52323 CELL PHONES 600 600 0.00%373100.1220.52351 TRAVEL 2,000 2,000 0.00%1,206
100.1220.52355 TRAINING 2,000 2,000 0.00%540100.1220.53101 PAPER 500 500 0.00%272
100.1220.53102 OFFICE SUPPLIES 3,000 3,000 0.00%6,433100.1220.53103 PRINTING 500 500 0.00%213100.1220.53141 BOOKS & PERIODICALS 1,500 1,500 0.00%0100.1220.53161 DUES 2,000 2,000 0.00%1,784
100.1220.53163 SUBSCRIPTIONS 500 500 0.00%500100.1220.53165 POSTAGE 2,500 2,500 0.00%2,274
$174,986 $190,300 $82,500 -56.65%Total Operating Expenditures
Internal Service Charges
100.1220.55100 ADMINISTRATION FUND CHARGES 47,400 22,200 -53.16%45,326100.1220.55101 EMPLOYEE HEALTHCARE 0 0 -60,665100.1220.55102 WORKER'S COMP INS 3,500 2,900 -17.14%3,100
100.1220.55103 RISK MANAGEMENT 10,800 5,600 -48.15%7,500100.1220.55105 AD & D 0 0 -3,000100.1220.55106 PENSION CONTRIBUTION - ER 0 0 -21,800100.1220.55110 INFO SYSTEMS INT FUND CHARGE 44,800 53,500 19.42%50,163
100.1220.55140 PUBLIC BUILDING DEPT FUND CHARGE 33,800 38,300 13.31%31,525
$223,079 $140,300 $122,500 -12.69%Total Internal Service Charges
$950,500 $808,800 -14.91%TOTAL EXPENDITURES $938,995
FY 2012 ADOPTED BUDGET 17
FY 2012 ADOPTED BUDGET 18
SOLICITOR100.1225
Account Number Account Name
2011ADOPTED
BUDGET (V5)
% INCR/DECR from
2011 BUDGET
ADOPTEDBUDGET
ACTUAL2010 2012
REVENUES
100.1225.33100.GB075 SUBGRANT #B82-8-075 ARRA BYRNE GRANT 0 0 -0100.1225.33100.GB081 BYRNE ARRA GRANT SUBGRANT #B82-8-081 0 0 -0
100.1225.33100.GBJAC GRANT BYRNE JUSTICE ASSISTANCE 18,600 18,000 -3.23%8,283100.1225.34140 SALE OF DISCOVERY MATERIALS 17,700 25,000 41.24%22,845
$36,300 $43,000 18.46%TOTAL REVENUES $31,128
EXPENDITURES
Salaries and Benefits
100.1225.51111 SALARIES-FULL TIME 871,900 939,800 7.79%759,907100.1225.51112 SALARIES PART TIME 18,200 18,200 0.00%4,840
100.1225.51112.GB075 SALARIES PARTTIME B82-8-075 BYRNE ARRA G 0 0 -0100.1225.51120 SALARY SUPPLEMENTS 18,800 19,400 3.19%18,962
100.1225.51130 OVERTIME 17,500 7,500 -57.14%0100.1225.51140 COMP TIME PAID 0 0 -31,712
100.1225.51150 PERSONAL LEAVE PAID 0 0 -63,620100.1225.51151 PERSONAL LEAVE SOLD 23,400 24,700 5.56%0
100.1225.51155 BEREAVEMENT LEAVE 0 0 -2,645100.1225.51156 WORKERS COMP COUNTY PAID 0 0 -62
100.1225.51159 MISCELLANEOUS WAGES 0 0 -4100.1225.51170 AD&D INS. 5,400 5,700 5.56%0
100.1225.51210 EMPLOYEE HEALTHCARE 195,200 201,600 3.28%0100.1225.51220 FICA 69,300 74,800 7.94%69,277100.1225.51220.GB075 FICA B82-8-075 BYRNE ARRA GRANT 0 0 -0100.1225.51240 PENSION CONTRIBUTION - ER 55,400 58,400 5.42%0
$951,029 $1,275,100 $1,350,100 5.88%Total Salaries and Benefits
Operating Expenditures
100.1225.51293 COFFEE & WATER SERVICE 2,200 1,000 -54.55%623
100.1225.52133 LEGAL FEES 6,200 0 -100.00%0100.1225.52139 MGMT & PROF SERV 17,000 6,850 -59.71%14,186
100.1225.52184 COURT REPORTER 7,700 7,000 -9.09%9,932100.1225.52185 WITNESS FEES 2,000 2,000 0.00%1,300
100.1225.52195 INVESTIGATION COSTS 200 200 0.00%0100.1225.52240 MAINT VEHICLES 400 400 0.00%343100.1225.52241 TIRES 200 400 100.00%197100.1225.52322 TELEPHONE TOLL CHGS 200 200 0.00%123
100.1225.52323 CELL PHONES 2,500 2,500 0.00%2,005100.1225.52325 TELEPHONE INSTALLATION 300 0 -100.00%0100.1225.52342 BUSINESS CARDS 100 100 0.00%403100.1225.52351 TRAVEL 11,700 5,800 -50.43%2,479
100.1225.52355 TRAINING 2,200 3,200 45.45%1,208100.1225.53101 PAPER 1,300 1,200 -7.69%844100.1225.53102 OFFICE SUPPLIES 6,000 4,000 -33.33%4,464100.1225.53103 PRINTING 4,000 1,200 -70.00%841
100.1225.53106 COMPUTER SUPPLIES 1,200 1,200 0.00%0100.1225.53106.GB081 COMP SUPPLIES - SUBGRANT #B82-8-081 0 0 -0100.1225.53106.GBJAC COMPUTER SUPPLIES BYRNE GRANT 400 900 125.00%3,692100.1225.53126 GASOLINE 2,000 2,500 25.00%2,169
100.1225.53141 BOOKS & PERIODICALS 1,700 1,000 -41.18%0100.1225.53161 DUES 3,000 2,000 -33.33%2,471100.1225.53163 SUBSCRIPTIONS 900 1,000 11.11%984100.1225.53165 POSTAGE 9,000 4,000 -55.56%4,959
$53,223 $82,400 $48,650 -40.96%Total Operating Expenditures
FY 2012 ADOPTED BUDGET 19
Account Number Account Name
2011ADOPTED
BUDGET (V5)
% INCR/DECR from
2011 BUDGET
ADOPTEDBUDGET
ACTUAL2010 2012
Internal Service Charges
100.1225.55100 ADMINISTRATION FUND CHARGES 52,200 56,600 8.43%44,973100.1225.55101 EMPLOYEE HEALTHCARE 0 0 -171,885
100.1225.55102 WORKER'S COMP INS 5,800 4,900 -15.52%4,900100.1225.55102.GB075 WORKER'S COMP B82-8-075 BYRNE ARRA 0 0 -0
100.1225.55103 RISK MANAGEMENT 12,600 12,800 1.59%8,700100.1225.55104 PERSONAL LEAVE SOLD 0 0 -10,898
100.1225.55105 AD & D 0 0 -8,500100.1225.55106 PENSION CONTRIBUTION - ER 0 0 -60,400
100.1225.55110 INFO SYSTEMS INT FUND CHARGE 94,200 115,700 22.82%80,940100.1225.55130 FLEET MAINT INT FUND CHARGES 3,900 4,100 5.13%6,300
100.1225.55140 PUBLIC BUILDING DEPT FUND CHARGE 14,600 19,400 32.88%0
$397,496 $183,300 $213,500 16.48%Total Internal Service Charges
$1,540,800 $1,612,250 4.64%TOTAL EXPENDITURES $1,401,748
FY 2012 ADOPTED BUDGET 20
MAGISTRATE COURT100.1230
Account Number Account Name
2011ADOPTED
BUDGET (V5)
% INCR/DECR from
2011 BUDGET
ADOPTEDBUDGET
ACTUAL2010 2012
REVENUES
100.1230.34930 RETURNED CHECK FEE 0 0 -120100.1230.35113 FINES - MAGISTRATE CT 327,800 327,800 0.00%308,725
100.1230.35196 DRUG ABUSE TREATMENT & EDUCATION 6,000 0 -100.00%6,264
$333,800 $327,800 -1.80%TOTAL REVENUES $315,109
EXPENDITURES
Salaries and Benefits
100.1230.51111 SALARIES-FULL TIME 379,600 390,300 2.82%415,406
100.1230.51112 SALARIES PART TIME 46,900 60,000 27.93%13,504100.1230.51120 SALARY SUPPLEMENTS 12,300 12,700 3.25%12,284
100.1230.51130 OVERTIME 0 0 -345100.1230.51140 COMP TIME PAID 0 0 -9,424
100.1230.51150 PERSONAL LEAVE PAID 0 0 -21,284100.1230.51151 PERSONAL LEAVE SOLD 10,400 10,400 0.00%0
100.1230.51170 AD&D INS. 2,400 2,400 0.00%0100.1230.51210 EMPLOYEE HEALTHCARE 61,000 75,600 23.93%0
100.1230.51220 FICA 33,400 35,500 6.29%34,177100.1230.51240 PENSION CONTRIBUTION - ER 26,800 26,800 0.00%0
100.1230.51291 UNIFORMS 500 500 0.00%0
$506,424 $573,300 $614,200 7.13%Total Salaries and Benefits
Operating Expenditures
100.1230.51293 COFFEE & WATER SERVICE 800 800 0.00%760100.1230.52133 LEGAL FEES 75,000 75,000 0.00%75,211
100.1230.52145 RECORDING FIFA FEES 0 0 -5100.1230.52163 RECORD STORAGE 400 400 0.00%331
100.1230.52188 INTERPRETER 8,500 8,500 0.00%7,579100.1230.52321 TELEPHONE SERVICE 0 0 --486
100.1230.52322 TELEPHONE TOLL CHGS 100 100 0.00%66100.1230.52323 CELL PHONES 2,500 1,400 -44.00%1,269
100.1230.52324 PAGERS 300 0 -100.00%255100.1230.52326 TELEPHONE EQUIPMENT 1,000 200 -80.00%46
100.1230.52351 TRAVEL 5,000 4,500 -10.00%871100.1230.52355 TRAINING 1,500 1,500 0.00%858100.1230.53101 PAPER 800 1,000 25.00%732100.1230.53102 OFFICE SUPPLIES 9,700 9,000 -7.22%5,032
100.1230.53103 PRINTING 2,800 2,000 -28.57%766100.1230.53141 BOOKS & PERIODICALS 2,200 2,300 4.55%1,458100.1230.53161 DUES 1,000 1,300 30.00%1,269100.1230.53163 SUBSCRIPTIONS 2,100 2,200 4.76%1,892
100.1230.53165 POSTAGE 7,000 7,000 0.00%6,186
$104,100 $120,700 $117,200 -2.90%Total Operating Expenditures
Internal Service Charges
100.1230.55100 ADMINISTRATION FUND CHARGES 31,600 30,800 -2.53%29,319100.1230.55101 EMPLOYEE HEALTHCARE 0 0 -70,777100.1230.55102 WORKER'S COMP INS 2,700 2,300 -14.81%2,400100.1230.55103 RISK MANAGEMENT 8,800 8,000 -9.09%6,700
100.1230.55104 PERSONAL LEAVE SOLD 0 0 -7,602100.1230.55105 AD & D 0 0 -3,500100.1230.55106 PENSION CONTRIBUTION - ER 0 0 -28,400100.1230.55110 INFO SYSTEMS INT FUND CHARGE 84,200 94,900 12.71%66,901
100.1230.55140 PUBLIC BUILDING DEPT FUND CHARGE 54,600 61,000 11.72%34,663
$250,262 $181,900 $197,000 8.30%Total Internal Service Charges
$875,900 $928,400 5.99%TOTAL EXPENDITURES $860,786
FY 2012 ADOPTED BUDGET 21
PRE-TRIAL SERVICES100.1231
Account Number Account Name
2011ADOPTED
BUDGET (V5)
% INCR/DECR from
2011 BUDGET
ADOPTEDBUDGET
ACTUAL2010 2012
REVENUES
100.1231.34291 RESTITUTION 0 1,200 -0100.1231.38900 DIVERSION 20,000 20,000 0.00%21,425
$20,000 $21,200 6.00%TOTAL REVENUES $21,425
EXPENDITURES
Salaries and Benefits
100.1231.51111 SALARIES-FULL TIME 92,100 96,600 4.89%81,263100.1231.51140 COMP TIME PAID 0 0 -1,578
100.1231.51150 PERSONAL LEAVE PAID 0 0 -9,235100.1231.51151 PERSONAL LEAVE SOLD 2,600 2,600 0.00%0
100.1231.51155 BEREAVEMENT LEAVE 0 0 -487100.1231.51170 AD&D INS. 600 600 0.00%0
100.1231.51210 EMPLOYEE HEALTHCARE 24,400 25,200 3.28%0100.1231.51220 FICA 7,100 7,400 4.23%7,182
100.1231.51240 PENSION CONTRIBUTION - ER 6,000 6,000 0.00%0
$99,745 $132,800 $138,400 4.22%Total Salaries and Benefits
Operating Expenditures
100.1231.52139 MGMT & PROF SERV 0 0 -0100.1231.52322 TELEPHONE TOLL CHGS 100 0 -100.00%12
100.1231.52323 CELL PHONES 800 600 -25.00%956100.1231.52342 BUSINESS CARDS 300 200 -33.33%0
100.1231.52351 TRAVEL 1,500 3,700 146.67%379100.1231.52355 TRAINING 600 1,300 116.67%395
100.1231.53101 PAPER 100 100 0.00%55100.1231.53102 OFFICE SUPPLIES 2,000 1,900 -5.00%807
100.1231.53126 GASOLINE 100 0 -100.00%19100.1231.53161 DUES 200 200 0.00%0
100.1231.53165 POSTAGE 200 100 -50.00%145100.1231.53302 HAZARDOUS MATERIAL EQUIP 200 200 0.00%0
$2,768 $6,100 $8,300 36.07%Total Operating Expenditures
Internal Service Charges
100.1231.55100 ADMINISTRATION FUND CHARGES 8,800 8,900 1.14%7,058
100.1231.55101 EMPLOYEE HEALTHCARE 0 0 -20,221100.1231.55102 WORKER'S COMP INS 600 500 -16.67%600
100.1231.55103 RISK MANAGEMENT 3,900 3,000 -23.08%2,700100.1231.55105 AD & D 0 0 -1,000
100.1231.55106 PENSION CONTRIBUTION - ER 0 0 -6,600100.1231.55110 INFO SYSTEMS INT FUND CHARGE 9,000 10,700 18.89%8,971
100.1231.55140 PUBLIC BUILDING DEPT FUND CHARGE 6,200 6,400 3.23%660
$47,810 $28,500 $29,500 3.51%Total Internal Service Charges
$167,400 $176,200 5.26%TOTAL EXPENDITURES $150,323
FY 2012 ADOPTED BUDGET 22
INDIGENT DEFENSE100.1232
Account Number Account Name
2011ADOPTED
BUDGET (V5)
% INCR/DECR from
2011 BUDGET
ADOPTEDBUDGET
ACTUAL2010 2012
REVENUES
100.1232.33100.GB302 SUBGRANT #B82-8-302 ARRA BYRNE GRANT 0 0 -0100.1232.33100.GBJAC GRANT BYRNE JUSTICE ASSISTANCE 3,200 0 -100.00%480
100.1232.33450 STATE INDIGENT DEFENSE REIM 208,500 208,500 0.00%225,833100.1232.34139 APPLICATION FEES 7,500 15,000 100.00%8,100
100.1232.34291 RESTITUTION 0 0 -44,773100.1232.34291.DRGCT DRUG COURT RESTITUTION 15,300 15,300 0.00%0
100.1232.34291.DUICT DUI COURT RESTITUTION 9,900 0 -100.00%0100.1232.34291.STATE STATE COURT ATTORNEY RESTITUTION 6,900 6,900 0.00%0
100.1232.34291.SUPCT SUPERIOR COURT ATTY RESTITUTION 15,900 15,900 0.00%0
$267,200 $261,600 -2.10%TOTAL REVENUES $279,186
EXPENDITURES
Salaries and Benefits
100.1232.51111 SALARIES-FULL TIME 180,500 188,900 4.65%164,969
100.1232.51112 SALARIES PART TIME 22,800 27,800 21.93%18,897100.1232.51130 OVERTIME 0 0 -8
100.1232.51140 COMP TIME PAID 0 0 -5,084100.1232.51150 PERSONAL LEAVE PAID 0 0 -11,607
100.1232.51151 PERSONAL LEAVE SOLD 5,200 5,200 0.00%0100.1232.51155 BEREAVEMENT LEAVE 0 0 -782
100.1232.51170 AD&D INS. 1,200 1,200 0.00%0100.1232.51210 EMPLOYEE HEALTHCARE 36,600 37,800 3.28%0100.1232.51220 FICA 15,500 16,500 6.45%15,637100.1232.51240 PENSION CONTRIBUTION - ER 12,000 12,000 0.00%0
100.1232.51291 UNIFORMS 0 0 -37
$217,021 $273,800 $289,400 5.70%Total Salaries and Benefits
Operating Expenditures
100.1232.52133 LEGAL FEES 0 0 -525100.1232.52181.DRUGS INDIGENT FEES- DRUGS 30,000 39,600 32.00%37,212
100.1232.52181.DUICT INDIGENT FEES-DUICT 20,000 12,600 -37.00%10,066100.1232.52181.DUTYA INDIGENT FEES-DUTY ATTORNEY ADULT 45,000 29,700 -34.00%30,419
100.1232.52181.DUTYJ INDIGENT FEES-DUTY ATTORNEY JUVENILE 27,500 22,300 -18.91%19,840100.1232.52181.EXPWT INDIGENT FEES- EXPERT WITNESS 30,000 40,000 33.33%18,381100.1232.52181.JUVCI INDIGENT FEES-JUVENILE CIVIL 70,000 75,000 7.14%135,444100.1232.52181.JUVCR INDIGENT FEES-JUVENILE CRIMINAL 42,000 25,000 -40.48%19,491
100.1232.52181.MAGCT INDIGENT FEES-MAGISTRATE 7,500 10,000 33.33%1,902100.1232.52181.STATE INDIGENT FEES-STATE 130,000 115,000 -11.54%94,770100.1232.52181.SUPCT INDIGENT FEES-SUPERIOR 475,000 475,000 0.00%486,641100.1232.52181.TRIP INDIGENT FEES-TRIPARTITE COMMITTEE 12,000 10,000 -16.67%5,636
100.1232.52184 COURT REPORTER 50,000 35,000 -30.00%20,845100.1232.52185 WITNESS FEES 2,000 2,000 0.00%0100.1232.52188 INTERPRETER 14,000 14,000 0.00%7,176100.1232.52195 INDIGENT-INVESTIGATORS 15,000 15,000 0.00%8,979
100.1232.52322 TELEPHONE TOLL CHGS 100 100 0.00%7100.1232.52323 CELL PHONES 600 600 0.00%821100.1232.52342 BUSINESS CARDS 200 200 0.00%0100.1232.53101 PAPER 500 500 0.00%163
100.1232.53102 OFFICE SUPPLIES 3,000 2,000 -33.33%852100.1232.53103 PRINTING 1,500 750 -50.00%225100.1232.53141 BOOKS & PERIODICALS 300 300 0.00%84100.1232.53163 SUBSCRIPTIONS 0 0 -84
100.1232.53163.GB302 SUBSCRIPTIONS - SUBGRANT #B82-8-302 0 0 -0100.1232.53163.GBJAC SUBSCRIPTIONS - BYRNE GRANT 3,200 0 -100.00%480100.1232.53165 POSTAGE 2,000 1,500 -25.00%761
$900,804 $981,400 $926,150 -5.63%Total Operating Expenditures
FY 2012 ADOPTED BUDGET 23
Account Number Account Name
2011ADOPTED
BUDGET (V5)
% INCR/DECR from
2011 BUDGET
ADOPTEDBUDGET
ACTUAL2010 2012
Internal Service Charges
100.1232.55100 ADMINISTRATION FUND CHARGES 17,200 17,500 1.74%15,908100.1232.55101 EMPLOYEE HEALTHCARE 0 0 -40,444
100.1232.55102 WORKER'S COMP INS 1,200 1,100 -8.33%1,100100.1232.55103 RISK MANAGEMENT 5,300 4,500 -15.09%3,700
100.1232.55104 PERSONAL LEAVE SOLD 0 0 -2,581100.1232.55105 AD & D 0 0 -2,000
100.1232.55106 PENSION CONTRIBUTION - ER 0 0 -13,200100.1232.55110 INFO SYSTEMS INT FUND CHARGE 26,200 30,200 15.27%21,127
100.1232.55140 PUBLIC BUILDING DEPT FUND CHARGE 27,600 27,700 0.36%11,334
$111,394 $77,500 $81,000 4.52%Total Internal Service Charges
$1,332,700 $1,296,550 -2.71%TOTAL EXPENDITURES $1,229,219
FY 2012 ADOPTED BUDGET 24
PROBATE COURT100.1235
Account Number Account Name
2011ADOPTED
BUDGET (V5)
% INCR/DECR from
2011 BUDGET
ADOPTEDBUDGET
ACTUAL2010 2012
REVENUES
100.1235.32240 MARRIAGE LICENSE 28,500 24,000 -15.79%39,036100.1235.32291 WEAPONS CARRY LICENSE 75,000 68,000 -9.33%84,825
100.1235.32295 PASSPORT FEES 27,000 38,500 42.59%21,325100.1235.34140 RECORDS COPIES 75,000 165,000 120.00%108,271
100.1235.35115 FEES - PROBATE CT 173,500 120,000 -30.84%85,464
$379,000 $415,500 9.63%TOTAL REVENUES $338,921
EXPENDITURES
Salaries and Benefits
100.1235.51111 SALARIES-FULL TIME 346,300 386,700 11.67%317,649
100.1235.51112 SALARIES PART TIME 26,600 14,400 -45.86%31,010100.1235.51120 SALARY SUPPLEMENTS 19,900 20,500 3.02%20,051
100.1235.51130 OVERTIME 0 0 -62100.1235.51140 COMP TIME PAID 0 0 -16
100.1235.51150 PERSONAL LEAVE PAID 0 0 -19,903100.1235.51151 PERSONAL LEAVE SOLD 10,400 11,700 12.50%0
100.1235.51155 BEREAVEMENT LEAVE 0 0 -628100.1235.51157 JURY DUTY 0 0 -46
100.1235.51161 BAILIFF FEES 1,500 1,500 0.00%1,470100.1235.51170 AD&D INS. 2,400 2,700 12.50%0
100.1235.51210 EMPLOYEE HEALTHCARE 85,400 113,400 32.79%0100.1235.51220 FICA 30,300 32,400 6.93%30,864100.1235.51240 PENSION CONTRIBUTION - ER 25,400 28,400 11.81%0
$421,699 $548,200 $611,700 11.58%Total Salaries and Benefits
Operating Expenditures
100.1235.51293 COFFEE & WATER SERVICE 500 500 0.00%376100.1235.52181 INDIGENT FEES LEGAL/BURIAL 1,500 1,500 0.00%0
100.1235.52182 JUROR FEES 500 4,600 820.00%4,517100.1235.52183 COURT APPOINTED ATTORNEY 2,500 2,500 0.00%0
100.1235.52184 COURT REPORTER 1,000 1,000 0.00%190100.1235.52235 MAINT AGREE SFTWR 0 0 -2,250
100.1235.52322 TELEPHONE TOLL CHGS 0 0 -32100.1235.52323 CELL PHONES 600 600 0.00%1,072100.1235.52331 LEGAL ADS 200 200 0.00%0100.1235.52337 BROCHURES 1,000 1,000 0.00%0
100.1235.52351 TRAVEL 3,000 3,000 0.00%3,802100.1235.52355 TRAINING 2,100 2,100 0.00%1,150100.1235.53101 PAPER 1,200 1,200 0.00%1,160100.1235.53102 OFFICE SUPPLIES 20,000 18,000 -10.00%12,218
100.1235.53103 PRINTING 300 300 0.00%0100.1235.53106 COMPUTER SUPPLIES 3,000 3,000 0.00%36100.1235.53141 BOOKS & PERIODICALS 800 800 0.00%688100.1235.53161 DUES 900 900 0.00%816
100.1235.53163 SUBSCRIPTIONS 900 900 0.00%347100.1235.53165 POSTAGE 5,500 5,500 0.00%6,864100.1235.53999 MISCELLANEOUS 0 18,300 -0
$35,518 $45,500 $65,900 44.84%Total Operating Expenditures
FY 2012 ADOPTED BUDGET 25
Account Number Account Name
2011ADOPTED
BUDGET (V5)
% INCR/DECR from
2011 BUDGET
ADOPTEDBUDGET
ACTUAL2010 2012
Internal Service Charges
100.1235.55100 ADMINISTRATION FUND CHARGES 32,900 33,800 2.74%31,464100.1235.55101 EMPLOYEE HEALTHCARE 0 0 -70,777
100.1235.55102 WORKER'S COMP INS 2,400 2,000 -16.67%2,000100.1235.55103 RISK MANAGEMENT 7,700 7,800 1.30%5,100
100.1235.55104 PERSONAL LEAVE SOLD 0 0 -5,380100.1235.55105 AD & D 0 0 -3,500
100.1235.55106 PENSION CONTRIBUTION - ER 0 0 -27,400100.1235.55110 INFO SYSTEMS INT FUND CHARGE 55,400 64,500 16.43%43,122
100.1235.55140 PUBLIC BUILDING DEPT FUND CHARGE 21,100 18,900 -10.43%4,462
$193,205 $119,500 $127,000 6.28%Total Internal Service Charges
$713,200 $804,600 12.82%TOTAL EXPENDITURES $650,422
FY 2012 ADOPTED BUDGET 26
JUVENILE COURT100.1250
Account Number Account Name
2011ADOPTED
BUDGET (V5)
% INCR/DECR from
2011 BUDGET
ADOPTEDBUDGET
ACTUAL2010 2012
REVENUES
100.1250.33410.GAAOC JUVENILE DRUG COURT GRANT 28,600 28,600 0.00%4,480100.1250.33410.HB182 JUVENILE COURT JUDGE REIMBURSEMENT 88,500 88,500 0.00%88,434
100.1250.33449.GBAR GEORGIA BAR FOUNDATION, IOLTA GRANT 0 5,000 -0100.1250.33449.GCJCJ COUNCIL OF JUVENILE COURT JUDGES GRANT 10,500 15,500 47.62%7,916
100.1250.34194 SALES OF PRINTED MATL 200 200 0.00%147100.1250.35116 JUVENILE COURT FINES 6,000 6,000 0.00%2,122
100.1250.38900 MISC INCOME 500 500 0.00%0100.1250.39101.UNWAY UNITED WAY COMMUNITY GRANT 5,000 5,000 0.00%5,000
$139,300 $149,300 7.18%TOTAL REVENUES $108,099
EXPENDITURES
Salaries and Benefits
100.1250.51111 SALARIES-FULL TIME 465,900 480,600 3.16%425,568100.1250.51112 SALARIES PART TIME 26,900 27,000 0.37%0
100.1250.51130 OVERTIME 2,000 2,000 0.00%661100.1250.51140 COMP TIME PAID 0 0 -25,440
100.1250.51150 PERSONAL LEAVE PAID 0 0 -18,452100.1250.51151 PERSONAL LEAVE SOLD 10,400 10,400 0.00%0
100.1250.51155 BEREAVEMENT LEAVE 0 0 -738100.1250.51159 MISCELLANEOUS WAGES 0 0 -392
100.1250.51161 BAILIFF FEES 9,800 10,500 7.14%10,166100.1250.51170 AD&D INS. 2,400 2,400 0.00%0100.1250.51210 EMPLOYEE HEALTHCARE 97,600 100,800 3.28%0100.1250.51220 FICA 38,400 39,700 3.39%35,573
100.1250.51240 PENSION CONTRIBUTION - ER 25,400 25,400 0.00%0
$516,990 $678,800 $698,800 2.95%Total Salaries and Benefits
FY 2012 ADOPTED BUDGET 27
Account Number Account Name
2011ADOPTED
BUDGET (V5)
% INCR/DECR from
2011 BUDGET
ADOPTEDBUDGET
ACTUAL2010 2012
Operating Expenditures
100.1250.51293 COFFEE & WATER SERVICE 100 100 0.00%7100.1250.52133 LEGAL FEES 1,500 1,500 0.00%0
100.1250.52139 MGMT & PROF SERV 39,900 39,900 0.00%67,484100.1250.52139.GAAOC JUVENILE DRUG COURT GRANT 28,600 28,600 0.00%8,725
100.1250.52139.GBAR GEORGIA BAR FOUNDATION GRANT 0 5,000 -0100.1250.52139.GCJCJ COUNCIL ON JUVENILE COURT JUSTICES 10,500 15,500 47.62%7,516
100.1250.52139.PLCMT MGMT & PROF SERV-CHILD OUT OF 150,800 150,800 0.00%146,597100.1250.52184 COURT REPORTER 13,000 9,000 -30.77%2,412
100.1250.52188 INTERPRETER 3,300 3,200 -3.03%4,409100.1250.52240 MAINT VEHICLES 500 500 0.00%109
100.1250.52241 TIRES 400 400 0.00%0100.1250.52323 CELL PHONES 2,700 2,600 -3.70%3,511
100.1250.52324 PAGERS 0 200 -160100.1250.52331 LEGAL ADS 100 100 0.00%0
100.1250.52342 BUSINESS CARDS 200 200 0.00%78100.1250.52351 TRAVEL 11,000 11,000 0.00%2,272
100.1250.52355 TRAINING 4,900 4,900 0.00%3,987100.1250.53101 PAPER 1,000 1,000 0.00%672
100.1250.53102 OFFICE SUPPLIES 14,500 14,500 0.00%5,695100.1250.53103 PRINTING 1,000 1,000 0.00%0
100.1250.53105 JANITORIAL SUPPLIES 200 200 0.00%15100.1250.53106 COMPUTER SUPPLIES 0 0 -5,010100.1250.53126 GASOLINE 900 900 0.00%1,017100.1250.53141 BOOKS & PERIODICALS 2,000 2,000 0.00%975
100.1250.53161 DUES 1,800 1,800 0.00%1,026100.1250.53163 SUBSCRIPTIONS 500 500 0.00%1,326100.1250.53165 POSTAGE 1,000 1,000 0.00%528100.1250.53192.UNWAY UNITED WAY COMMUNITY GRANT 5,000 5,000 0.00%5,000
100.1250.57202 PAYMENTS TO BENEFICIARIES TRAFFIC FINES 6,000 6,000 0.00%0
$268,531 $301,400 $307,400 1.99%Total Operating Expenditures
Capital Expenditures
100.1250.54215 OFFICE EQUIPMENT 0 0 -0
$0 $0 $0 -Total Capital Expenditures
Internal Service Charges
100.1250.55100 ADMINISTRATION FUND CHARGES 34,000 36,600 7.65%29,417100.1250.55101 EMPLOYEE HEALTHCARE 0 0 -70,777
100.1250.55102 WORKER'S COMP INS 3,200 2,700 -15.63%2,800100.1250.55103 RISK MANAGEMENT 10,000 9,400 -6.00%7,800
100.1250.55104 PERSONAL LEAVE SOLD 0 0 -6,524100.1250.55105 AD & D 0 0 -3,500100.1250.55106 PENSION CONTRIBUTION - ER 0 0 -27,400100.1250.55110 INFO SYSTEMS INT FUND CHARGE 72,700 81,400 11.97%70,232
100.1250.55130 FLEET MAINT INT FUND CHARGES 1,500 1,100 -26.67%2,200100.1250.55140 PUBLIC BUILDING DEPT FUND CHARGE 88,500 64,000 -27.68%73,061
$293,711 $209,900 $195,200 -7.00%Tot